- Prepare annual projected budget and expense reports.
- Prepare fiscal policy recommendations.
- Prepare Treasurer's Report for each regular Executive Board Meeting.
- Receive dues from membership chair for deposit.
- Receive invoices and statements for the organization's purchases.
- Maintain checkbook and savings account activity record.
- Maintain records of committee expenditure.
Respectfully submitted,
Marilyn S. Kostrzewski, Treasurer September 7, 2005
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